This week’s edition includes charts and commentary on the following:
1. Household Debt Paradox
2. Canada Consumer Insolvencies Plummet
3. U.S. Banks Tighten Lending Standards
4. Retail Sector Makes a Comeback
5. Correction in Silver
6. Silver/Gold Volatility Ratio Explodes
7. Financial Sector Slow to Recover
8. Active Treasury Investors Not Net Long
9. Elevated Euro vs. USD Positioning
10. ECB Purchases Relative to Issuance